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Saflul's style

Saflul's bio

Top 71%

Saflul

(Why follow?)

  • Risk Group(4.2/10) Moderate
  • RankTop 71%
  • Return Today3.68%
  • Return 1 Month-28.90%
  • Return 3 Months-47.92%
  • Return YTD-50.52%
  • Trades/Month1.19
  • Member SinceMay 08
  • Sectors Financial

http://www.marketguru.com/Saflul

Saflul's major holdings

  • % of Portfolio
  • TEVA

    Teva Pharmaceutical Industries Limited37.47%
  • GS

    Goldman Sachs Group Inc.13.58%
  • BRK.B

    Berkshire Hathaway inc.13.50%
  • MO

    Altria Group, Inc.9.87%
  • AAPL

    Apple Inc.6.69%
  • GE

    General Electric Company5.85%
  • AIG

    American International Group Inc4.81%
  • POT

    Potash Corporation of Saskatchewan Inc.4.76%
  • FNM

    Fannie Mae3.47%